Vice President Finance
Finance manager job in Atlanta, GA
Our company is building the next generation of specialty spine, neck and brain care, making it radically easier for patients, employers, providers, and payors to access high-quality, efficient care. The practice is undergoing an exciting period of growth and innovation. We're looking for a hands-on VP of Finance to own our finance and revenue cycle functions end-to-end and help scale our organization through its next phase of growth.
As our VP of Finance, you'll serve as a strategic business partner to the portfolio company's CEO and leadership team driving financial performance, operational efficiency, and scalable systems that enable both clinical and business excellence. You'll lead a growing team and be responsible for corporate finance, FP&A, accounting, and revenue cycle management across the enterprise.
This is a builder role: you'll architect the financial infrastructure, roll up your sleeves to execute, and iterate quickly based on data and insights.
What you'll own
You'll be responsible for building a world-class finance function that supports the company's mission, growth, and operational discipline.
1. Corporate Finance (80%)
Strategic Planning & FP&A
Lead all financial planning, budgeting, forecasting, and strategic modeling to support growth and new initiatives.
Partner with the CEO and leadership team to translate strategic objectives into actionable financial plans.
Accounting & Controls
Oversee all accounting operations, including monthly and annual close, audit readiness, and financial compliance.
Ensure accuracy, timeliness, and transparency across reporting processes.
Performance Measurement
Design and maintain executive KPI dashboards and internal reporting infrastructure.
Deliver clear financial insights and recommendations that drive decision-making.
Cash Flow & Capital Management
Manage banking relationships, credit facilities, cash flow forecasting, and capital allocation.
Evaluate investment and financing opportunities to optimize the company's capital structure.
Business Partnering
Provide strategic financial guidance on new service lines, M&A opportunities, and technology investments.
Support operational teams with data-driven insights to improve margins, productivity, and ROI.
2. Revenue Cycle Management (20%)
RCM Leadership
Oversee end-to-end revenue cycle operations, including documentation, coding, charge capture, and payer contracting.
Implement performance dashboards to monitor key RCM metrics (AR days, denial rates, collection efficiency).
Payer Relations & Contracting
Strengthen payer relationships to optimize reimbursement and reduce denials.
Negotiate contracts that align incentives and improve cash conversion cycles.
Compliance & Optimization
Partner with clinical leaders to ensure compliant, efficient billing processes.
Leverage AI and automation tools to streamline workflows, reduce manual work, and increase throughput.
What we're looking for
Must-have experience
5+ years in a finance leadership role within a small or high-growth organization; healthcare experience strongly preferred.
Proven track record of leading FP&A, accounting, and revenue cycle functions with full ownership of financial results.
Deep understanding of GAAP accounting, healthcare billing, and RCM operations.
Strong analytical and technical orientation, comfortable using automation, data analytics, and AI-driven tools.
Exceptional communicator able to translate financial data into actionable strategy for executives, clinicians, and investors.
Demonstrated ability to build scalable financial systems and deliver measurable impact.
Proven people leader with experience managing and developing cross-functional finance teams.
Academic excellence GPA 3.7+ from a top-tier university or equivalent achievement.
How you work
Hands-on: You're comfortable digging into models, reconciling accounts, and refining reports, whatever it takes to get to truth and clarity.
Owner mentality: You think in terms of enterprise value and long-term impact, not just monthly results.
Analytical & curious: You love finding insights in numbers and building the systems that make them visible.
Collaborative: You communicate clearly across clinical, operational, and executive teams to keep everyone aligned.
Low ego, high EQ: You balance rigor with empathy, driving results while building trust.
What we're offering
Base Salary: $200,000 - $250,000 per year, depending on experience and fit.
Upside: Participation in the company's stock option program (meaningful equity aligned with value creation).
Comprehensive benefits: Medical, dental, and vision coverage.
Retirement plan: 401(k) or equivalent with employer contribution/match.
Paid time off: Competitive vacation, sick leave, and holidays.
Professional development: Support for courses, certifications, and leadership programs relevant to finance and healthcare.
High-impact environment: Direct visibility from your work to patient outcomes, operational performance, and enterprise value creation across Cade's healthcare portfolio.
Senior Manager, Corporate Finance
Finance manager job in Atlanta, GA
Senior Manager, Corporate Finance This position is based in Atlanta, GA in our Galleria office and is an on-site role. Applicants in CA, CO, DC, HI, IL, MD, MA, MN, NJ, NY, RI, VT, and WA are not eligible for this posting. Senior Manager, Corporate Finance The Senior Manager, Corporate Finance, will play a critical role in overseeing the organization's daily capital and liquidity management, while also driving long-term strategic planning initiatives across the business. This highly visible position will also serve as the primary liaison to multiple lending partners, ensuring timely delivery of all required documentation and managing the related flow of funds. The position involves regular collaboration with internal teams such as accounting, treasury, analytics, and merchandising, as well as external communication with lending partners. This role requires strong organizational and communication skills, along with experience in finance operations and relationship management. The Details What You Need: * Advanced financial modeling and quantitative analysis skills * Proficient in Microsoft Office Suite, especially Excel and PowerPoint * Strong understanding of financial concepts, particularly credit facilities and debt instruments * Solid business acumen with the ability to apply financial knowledge to decision-making and problem-solving across various situations * Excellent written and verbal communication skills, with the ability to clearly convey complex processes and financial information to diverse audiences * Strong attention to detail and high degree of accuracy in work products * Effective collaboration and interpersonal skills for working across teams and with external partners What You'll Do: * Develop and maintain complex financial models, including multi-year, three-statement models and weekly cash flow forecasts * Oversee liquidity management in coordination with treasury and other business functions * Track and manage the deliverables to lending partners, such as borrowing base submissions and required compliance reporting * Collaborate with cross-functional teams to produce both recurring and ad-hoc reporting and analysis * Ensure reporting processes and deliverables meet high standards for accuracy and timeliness * Prepare clear and effective financial and operational presentations for both internal and external stakeholders * Apply financial analysis and a variety of quantitative and qualitative methods to assess business issues, summarize findings, and propose actionable recommendations Additional Requirements: * Bachelor's Degree in Accounting or Finance * 7 years of relevant experience * 2+ years of supervisory experience preferred * MBA is a plus but not required Aaron's Total Rewards Our team members are our greatest asset. As an expression of our appreciation, Aaron's is proud to offer outstanding career training, competitive performance incentives, excellent advancement opportunities, and a distinctive benefits package which includes**: * Paid time off, including vacation days, sick days, and holidays * Medical, dental and vision insurance * 401(k) plan with contribution matching *Note that the pay range provided above is the lowest to highest rate we in good faith believe we would pay for this role at the time of this posting. We may ultimately pay more or less than the posted range, and the range may be modified in the future. An employee's pay position within the salary range will be based on several factors including, but limited to, relevant education, qualifications, certifications, skills, geographic location, performance, shift, travel requirements, sales or revenue-based metrics, any collective bargaining agreements, and business or organizational needs. Note: No amount of pay in wages or compensation until such amount is earned, vested, and determinable. The amount and availability of any bonus, commission, or any other form of compensation that are allocable to a particular employee remains in the Company's sole discretion unless and until paid and may be modified at the Company's sole discretion, consistent with the law. **Benefits vary based on full-time employment status.
Oracle Finance R2R Lead
Finance manager job in Atlanta, GA
Role name: Oracle Finance R2R Lead - Cloud
Work site: Chicago IL / Washington, DC / NJ - Bridgewater / Houston & Dallas / Atlanta, GA / Columbus OH / Columbia SC / Nashville TN
Fulltime
Job Description:
12 to 14 years of experience as a Functional SME with expertise in Oracle Cloud Finance Product Support Lead R2R (GL/intercompany/Cash Management) (nice to have Oracle Cloud and PPM Billing & Costing)
Proven experience in understanding and troubleshooting PaaS solutions to meet specific business needs.
Extensive knowledge in the Staffing domain and its integration with Oracle Cloud Finance.
Experience with PeopleSoft Paybill is preferred.
Strong expertise in Oracle Fusion PPM modules: Project Costing, Project Contracts, Project Foundation, Project Resource Management, and Project Billing.
Excellent communication skills, with experience in client-facing roles, ensuring the smooth delivery of complex solutions to stakeholders.
Regards
Rahul Bansiwaal
**********************************************
************ | Office: ************** EXT: 444
rahulb@net2source>com
www>net2source>com
270 Davidson Ave, Suite 704, Somerset, NJ 08873, USA
Knowledge is Power>
Senior Finance Manager
Finance manager job in Atlanta, GA
We're looking for a Senior Manager, Corporate Finance to lead capital and liquidity management, elevate long-term strategic planning, and serve as a trusted partner to our lending institutions. This high-impact role partners daily with accounting, treasury, analytics, and merchandising-helping guide financial decisions that shape the future of the business.
What You'll Do:
• Build and manage advanced financial models (3-statement, multi-year, weekly cash flow)
• Oversee liquidity planning in partnership with Treasury
• Own all lending partner deliverables, including borrowing base submissions and compliance reporting
• Collaborate cross-functionally to produce accurate, timely reporting and analysis
• Present financial and operational insights to both internal and external stakeholders
• Apply rigorous quantitative and qualitative analysis to drive recommendations and decision-making
Requirements:
• Deep expertise in capital structure and liquidity management
Consulting or restructuring experience
• Advanced modeling + strong Excel/PowerPoint skills
• Strong understanding of credit facilities and debt instruments
• Exceptional communication, accuracy, and attention to detail
• Ability to collaborate across teams and manage external relationships
• Bachelor's in Finance/Accounting + 7 years of relevant experience (2+ years leadership preferred)
Bonus Points:
• • PE-backed environment exposure
• MBA
• Experience with Anaplan, Power BI, SQL
If you're ready to take on a visible, strategic role with room to grow-we'd love to connect.
Risk Manager
Finance manager job in Atlanta, GA
The person will be part of the “Quality and Risk Management” team of Infosys McCamish. The person has to co-ordinate with IT / BPM Operations, Corporate and Client Stakeholders to implement all necessary Risk and Information security best practices, ensuring compliance to organization policies and procedures, and client requirements with respect to products, platforms, BPM Services at all Infosys McCamish locations across the globe.
Responsibilities may include but are not limited to:
Security Controls implementation - Overall Program management
Conduct Risk Assessment
Help stakeholder in closing the assessment gaps.
Aligning the policies and procedures with respect to Risk / Information security
Co-ordination between delivery / functional teams
Implementation of control objectives
Define and implement change initiatives.
Implementation knowledge of Information Security, Business Continuity, Data Privacy, Cloud Security Management Models and guidelines like ISO 27001, ISO 27701, ISO 27017, ISO 27018, ISO 22301, NIST, CISA, SOC 1, SOC 2 etc. is preferable.
Audits
Auditing IT vendors periodically in terms of their compliance to Information security standards as per MSA/contract.
Auditing the IT infrastructure components, say, servers, networks, applications (both internal and third party), scanning the vulnerabilities, define appropriate controls and certify them to use it in our business.
Conduct Internal Audits on process compliance (Risk audits-confidentiality, Integrity and Availability, IP audits, Information Security audits)
Facilitate external audits with certifying bodies and ensure certification / Recertification (ISO 27001, SSAE 16 - SOC1, etc.,)
Facilitate Client risk audits on Information security, vulnerabilities etc., by coordinating with all internal / client stakeholders.
Handling all Security Incidents, Audit Non-conformities, Process deviations, Complaints pertaining to Risk and ensure that the process owners are defining and implementing the relevant corrective / preventive actions and close the same.
Qualifications:
Basic:
• Minimum of a bachelor's degree or foreign equivalent required from an accredited institution. Will also consider three years of progressive experience in the specialty in lieu of every year of education.
• At least 7 years of experience related to the job description.
Preferred
Facilitating Periodical Risk review meetings with leadership team.
Risk reporting: Co-ordination between different BPO client managers / Engagement Managers / Functional teams to get the right information and publish metrics, status reports and initiatives dashboard to all internal and external stakeholders.
Identify continuous process improvement opportunities, define, and implement best practices, driving improvement culture across the organization.
Note: Applicants for employment in the U.S. must possess work authorization which does not require sponsorship by the employer for a visa (H1B or otherwise).
The job entails sitting as well as working at a computer for extended periods of time. Should be able to communicate by telephone, email or face to face.
About Us
Infosys McCamish Systems, (*********************************** located in Atlanta, Georgia, is the Life Insurance and Retirement Services subsidiary of Infosys BPO Limited. (******************* Infosys McCamish was started in 1985 as a virtual insurance company and went to market as a commercial services provider in 1995. It has an outstanding business perspective and an exemplary track record that no other outsourcer of business solutions can claim - generating US$16 billion of recurring premium in less than five years as a virtual insurance company. Infosys McCamish has expert technology and outsourcing credentials, along with a proven business model for re-engineering systems and performing back-office services at a reduced cost, while reinforcing accuracy, speed and security. Seven of the top ten US insurers are among Infosys McCamish's many BPO clients. Infosys McCamish has its operations spread across Atlanta GA and Des Moines IA in USA.
EOE/Minority/Female/Veteran/Disabled/Sexual Orientation/Gender Identity/National Origin
Director/Vice President Finance
Finance manager job in Cartersville, GA
About the Company:
Our client is a leading restoration contractor serving North Georgia and Southeast Tennessee. Established in 1994, the company is backed by a team with more than 175 years of combined experience in construction and restoration. They partner with all major insurance carriers and adjusters to ensure fair claim settlements and deliver expert services through licensed general contractors, IICRC-certified specialists, and insurance adjusters. With a climate-controlled warehouse and state-of-the-art cleaning facilities, our client restores customers' property to the highest standards, from pack-out to move-in. Dedicated to 24/7/365 emergency response for fire, water, and storm damage, our client sets the industry standard for excellence, professionalism, and customer care.
Position Overview:
The Vice President of Finance will serve as a key executive leadership team member, responsible for leading all financial operations, including budgeting, forecasting, financial planning, reporting, and strategic analysis. The ideal candidate will bring strong financial acumen, operational insight, and leadership capabilities to help drive performance, support decision-making, and ensure the company's long-term economic health.
Experience in restoration or construction is highly valued, as it provides insight into job costing, margin management, and navigating insurance-related revenue cycles.
Key Responsibilities:
Oversee all aspects of financial management, including accounting, budgeting, cash flow, and reporting.
Develop and lead financial planning processes that support strategic decision-making and business goals.
Drive operational efficiency by analyzing key financial metrics, job costing, and project profit margins.
Provide timely and accurate financial reports to the Management Team and the Board, including job profitability, liquidity monitoring (13 Week Cashflows), monthly/quarterly financials, variance analysis, and KPIs, etc.
Establish and maintain strong internal controls, accounting policies, and compliance procedures.
Lead forecasting and modeling initiatives to evaluate business performance and growth opportunities.
Partner with department leaders to support budgeting, resource allocation, and investment planning.
Manage external relationships with banks, auditors, suppliers, vendors, tax advisors, and insurance partners.
Contribute to M&A due diligence and integration, as applicable.
Qualifications:
Bachelor's degree in Accounting, Finance, or a related field; CPA preferred.
10+ years of progressive finance and accounting experience, with at least 3 years in leadership.
Experience in construction, restoration, or a project-based industry strongly preferred.
Deep understanding of job costing, WIP accounting, margin analysis, and cash flow management.
Proficiency in financial systems (e.g., QuickBooks, Sage, Foundation, or similar platforms).
Strong leadership and communication skills, with the ability to collaborate cross-functionally. Must regularly maintain a cooperative style that encourages a teaming environment.
Strategic thinker with hands-on execution skills and a roll-up-your-sleeves attitude.
Self-starter with initiative to identify and implement improvements.
What We Offer:
Executive-level role in a growing, mission-driven organization.
Competitive compensation, bonus structure, and potential equity participation.
An entrepreneurial environment with autonomy and opportunity to shape financial strategy.
A collaborative culture built on trust, transparency, and excellence.
Director of Financial Reporting
Finance manager job in Atlanta, GA
Accountants One is working on an exclusive search for a Director of Financial Reporting for a growing real estate client. This person will work closely with the key leadership in the company, and it's a very visible position. The Director of Financial Reporting will be involved with the SEC filings and key accounting reports that will help leadership make business decisions. This is an in-office role due to the nature of the work and deadlines.
The Director of Financial Reporting will handle the following:
Prepare and coordinate SEC filings (10-K, 10-Q, 8-K, Proxy) and investor reporting packages.
Compile and analyze monthly internal reports, budgets, and forecasts.
Partner with operations to provide variance analyses and leasing impact assessments.
Support audit coordination, technical accounting research, and implementation of new standards.
Collaborate with leadership to enhance reporting processes and leverage system capabilities.
Assist with corporate accounting activities, including monthly close and the accounting for and administration of the Company's annual and long-term incentive compensation plans.
Supervise a team
Special projects
Requirements
A bachelor's degree in accounting or finance is required.
A minimum of 4+ years of accounting experience required in the Big 4 or second Tier firm, or a blend of Big 4 and industry experience
CPA license required.
GAAP
Advanced knowledge of Microsoft Excel
Experience with ERP System
18273
Controller
Finance manager job in Atlanta, GA
A well-established and growing contracting firm in the Southeast is conducting a search for a Controller to support continued growth and financial rigor across the organization.
This role will report directly to senior leadership and will be responsible for overseeing the company's accounting operations, financial reporting, and job-cost accounting processes. The organization is intentionally seeking candidates with a public accounting background, particularly those trained in audit.
Key Responsibilities
Oversee day-to-day accounting operations, including month-end and year-end close
Prepare and review financial statements in accordance with GAAP
Manage Work-in-Progress (WIP) / percentage-of-completion accounting
Oversee job cost accounting, revenue recognition, and margin analysis
Coordinate audits and serve as the primary liaison with external auditors
Maintain internal controls and ensure compliance with accounting standards
Partner with operations and leadership to provide financial insight and analysis
Support process improvement and scaling of accounting systems and procedures
Qualifications
Bachelor's degree in Accounting or Finance (required)
CPA preferred
3-7 years of public accounting experience, ideally audit
Experience transitioning from public accounting to industry is acceptable
Prior experience in construction or contractor accounting strongly preferred
WIP accounting experience required
Strong understanding of GAAP and financial reporting
Ability to operate independently and communicate effectively with non-accounting stakeholders
Controller
Finance manager job in Cumming, GA
Outstanding for a controller position in a fast growing commercial construction company. . There is significant growth in this position. The company has impressive leadership. This individual will play a key leadership role in overseeing the financial health of the organization, with a particular focus on managing the month-end close process, supporting multiple large-scale projects, and providing accurate reporting to internal and external stakeholders-including sureties and lenders.
Key Responsibilities:
Oversee and manage the month-end, quarter-end, and year-end close processes, ensuring accuracy and timeliness.
Help in Preparing and analyzing financial statements, job cost reports, WIP schedules, and variance analysis for management review.
Maintain and improve internal controls and accounting processes specific to construction operations.
Provide timely and accurate financial reporting to sureties, bonding companies, and other external partners.
Support project teams with budgeting, forecasting, and cost control for large-scale construction projects.
Track and analyze job profitability, billing, change orders, and retention.
Manage accounting for multiple ongoing projects and support the company's rapid growth by scaling financial systems and controls.
Collaborate with project managers, estimators, and executive leadership to ensure alignment between operations and finance.
Assist with YE Review preparation and tax filings in coordination with external CPA firms.
Qualifications:
Bachelor's degree in Accounting, Finance, or a related field;
5-10+ years of accounting experience, preferably within the construction or real estate development industry.
Proven experience working with large construction projects ($3M+).
Strong understanding of GAAP, job costing, and percentage-of-completion accounting.
Ability to thrive in a hands-on, fast-paced environment and support multiple priorities.
Excellent communication and interpersonal skills; able to work cross-functionally.
Highly analytical with a detail-oriented mindset and strong problem-solving skills.
Preferred Skills:
Experience reporting to bonding agents and sureties.
Familiarity with ERP system implementation or upgrades
Director of Financial Planning and Analysis (FP&A)
Finance manager job in Woodstock, GA
The Director of Financial Planning and Analysis (FP&A) is a senior-level finance professional who leads an organization's financial planning, budgeting, forecasting, and analysis activities. The ideal candidate will ensure financial plans align with business objectives, provide strategic financial insights, and manage the company's overall financial performance. This role often involves close collaboration with senior executives and a significant impact on company-wide decision-making.
Key Responsibilities:
Lead Financial Planning Processes: Oversee the annual budgeting process, monthly and quarterly forecasting, and long-range financial planning.
Develop and Maintain Financial Models: Create and refine complex financial models to support strategic decision-making and assess business performance.
Analyze Financial Data: Identify trends, risks, and opportunities for growth by analyzing financial data and performance metrics.
Provide Strategic Insights: Translate complex financial data into actionable business insights and recommendations for senior management.
Collaborate Cross-Functionally: Partner with other departments to align financial plans with overall business objectives and ensure financial performance meets strategic goals.
Manage Reporting and Analysis: Oversee the preparation of financial reports, variance analysis, and management reporting to track performance against plans and identify areas for improvement.
Drive Process Improvement: Enhance financial processes, systems, and reporting capabilities to improve efficiency and accuracy.
Evaluate Investments and Growth Initiatives: Assess potential investments, mergers, and acquisitions to support business growth and strategic objectives.
Skills and Qualifications:
Strong Financial Acumen: Deep understanding of financial planning, budgeting, forecasting, and analysis.
Strategic Thinking: Ability to develop and implement financial strategies that align with overall business objectives.
Analytical and Problem-Solving Skills: Ability to analyze complex financial data, identify trends, and develop solutions.
Communication and Presentation Skills: Ability to effectively communicate financial information to both financial and non-financial audiences.
Leadership and Management Skills: Ability to lead and motivate a team, manage projects, and drive process improvement.
Technical Proficiency: Proficiency in financial modeling, data analysis tools, and financial reporting systems.
Experience: Requires 10+ years of experience in finance or accounting, with significant experience in a management role.
Controller
Finance manager job in Marietta, GA
Controller - Fast-Growing General Contractor
We're a smaller but rapidly growing general contractor looking for someone who's ready to take full ownership of our finance function. This is our first dedicated finance hire, so we need someone confident, hands-on, and familiar with the realities of construction accounting.
What you'll own:
Day-to-day accounting, job costing, and project financial reporting
Month-end close, cash flow management, and forecasting
AP/AR oversight and subcontractor payments
Partnering with leadership on budgets, margin tracking, and growth planning
Implementing/improving systems, processes, and controls as we scale
Managing relationships with external partners including banks, bonding agents, CPA firms, insurance brokers, and key vendors/subcontractors
Building strong internal relationships with project managers and field leadership to ensure accurate, timely financial information
What we're looking for:
Minimum 4 years of experience in construction finance/accounting
Strong understanding of WIP, job cost, and project-based financials
Someone who can operate independently, build structure, and clean up where needed
Comfortable in a fast-moving environment where priorities shift and you have to roll up your sleeves
A practical problem-solver who can work closely with field and operations teams
Why this role matters:
You'll be the #1 finance person in the company - the one setting the foundation for how we run numbers, manage cash, and make financial decisions as we continue to grow.
If you're looking for a role with autonomy, impact, and the chance to shape a company's financial future from the ground up, we'd love to talk. Please apply below.
VP, Financial Consultant- Atlanta, GA (Buckhead) (Hiring Immediately)
Finance manager job in Atlanta, GA
Regular
Your opportunity
At Schwab, youre empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us challenge the status quo and transform the finance industry together.
Schwabs branch team is at the heart of our firms commitment tohelping clients own their financial futures. In this exciting role, youllgive clients financial guidance while forming lasting relationshipsbuilt on trust, respect, and reaching a common goal. Youll alsohavethe ability totake charge of your own professional journey with oursupportive, nurturing culture and diverse set of career opportunities.
As a Financial Consultant at Schwab, you will be procured with the practice of existing Schwab clients, providing them with wealth management and financial planning advice. Over time, youll grow your practice holistically through client asset consolidation, networking, and earning client referrals. If you currently have your securities license, enjoy working in a teamsetting, and share our passion for serving clients - this role is for you.
What you have
Required Qualifications:
A valid and active FINRA Series 7 license required
Obtaining or acquiring FINRA Series 66 (63/65) license and Life & Health Insurance as it will be required during your tenure on the job.
Preferred Qualifications:
Ability to build strong relationships, engage and encourage trust, and deepen the client relationship by applying a focused client communication strategy, and exceeding client expectations.
Strong candidates will also learn to leverage our team of Schwab specialists, Schwab advice guidelines, your knowledge of the markets, and your ability to inspire action to help your clients progress toward achieving their goals.
Openness to manage wealth on behalf of our clients including: Retirement Planning, Education Planning, Investment Management, Banking & Lending Management, Insurance & Risk Management, and Estate Planning
Ability to adapt and implement change as the market and business conditions evolve
Passion for community engagement to share and engage clients in discussion about market conditions, sound investing principles, and the ideal wealth and long-term investment strategies for their personal situation
Desire to provide an outstanding investor experience in additional to furthering your own professional development in Wealth Management.
Whats in it for you:
At Schwab, were committed to empowering our employees personal and professional success. Our flexible work options, supportive culture, and focus on your development means youll get the tools you need to make a positive difference in the finance industry.
We offer a competitive benefits package that takes care of the whole you both today and in the future:
Base salary
401(k) with company match and Employee stock purchase plan
Paid time for vacation, volunteering, and a 4-week sabbati
Assistant Director, Grants Accounting and Finance
Finance manager job in Kennesaw, GA
About Us Are you ready to transform lives through academic excellence, innovative research, strong community partnerships and economic opportunity? Kennesaw State University is one of the 50 largest public institutions in the country. With growing enrollment and global reach, we continue to expand our institutional influence and prominence beyond the state of Georgia. We offer more than 190 undergraduate, graduate, and doctoral degrees to empower our 47,000 students to become thought leaders, lifelong learners, and informed global citizens. Our entrepreneurial spirit, high-impact research, and Division I athletics draw students from throughout the region and from more than 100 countries across the globe. Our university's vibrant culture, career opportunities, rich benefits, and values of respect, integrity, collaboration, inclusivity, and accountability make us an employer of choice. We are part of the University System of Georgia. We are searching for talented people to join Kennesaw State University in our vision. Come Take Flight at KSU!
Location
Our Kennesaw campus is located at 1000 Chastain Road NW, Kennesaw, GA 30144.
Job Summary
Supervises and reviews the work of assigned staff. Manages accounting entries and reporting for Research Foundation financials. Lead point of contact for customer service and operational requests. Manages financial deliverables for awards. Manages monthly billing and payment between Research Foundation and University. Assists in preparation of management reports for review by executive members. Assists in coordinating the annual financial audit. Assists with monthly reconciliations of KSU AR accounts.
Responsibilities
KEY RESPONSIBILITIES:
1. Manages work and performance of assigned staff
2. Reconciles significant accounts
3. Reviews the work and/or reconciliations of assigned staff
4. Supervises the posting of transactions into KSURSF accounting software
5. Responsible for KSURSF accounting processes and entries.
6. Assists Director and Office of Research staff in special projects as assigned or needed
7. Participates and contributes to department decisions to ensure adherence with generally accepted accounting principles
8. Assists and contributes to the annual financial audit processes
9. Maintains financial statement templates in the systems and prepares consolidated financial statements according to established time frame for Controller review
10. Responsible for the accounting processes for the KSURSF and related reporting
11. Manages monthly billing process between entities and awardees
Required Qualifications
Educational Requirements
Bachelor's degree from an accredited institution of higher education in Accountancy, Business or related field.
Required Experience
Five (5) years of accounting, financial or related experience
Preferred Qualifications
Preferred Educational Qualifications
Advanced degree from an accredited institution of higher education in a related field
Preferred Experience
Nonprofit accounting experience
Prior public accounting experience
Proposed Salary
The salary range is $75,300- $91,000. Offers are based on relevant experience. Comprehensive benefits to include Medical, Dental, Vision, 13 paid holidays, vacation, generous retirement plans, tuition waiver, wellness options, and much more! Visit hr.kennesaw.edu/benefits.
Knowledge, Skills, & Abilities
ABILITIES
Able to handle multiple tasks or projects at one time meeting assigned deadlines
KNOWLEDGE
Knowledge and experience with generally accepted accounting principles
Knowledge of higher education accounting processes
Knowledge of governing policies, procedures, rules and regulations
SKILLS
Excellent interpersonal, initiative, teamwork, problem solving, independent judgment, organization, communication (verbal and written), time management, project management and presentation skills
Proficient with computer applications and programs associated with the position (i.e. Microsoft Office suite, Advanced knowledge of excel, Financial Accounting software knowledge)
Strong attention to detail and follow up skills
Strong customer service skills and phone and e-mail etiquette
USG Core Values
The University System of Georgia is comprised of our 26 institutions of higher education and learning as well as the System Office. Our USG Statement of Core Values are Integrity, Excellence, Accountability, and Respect. These values serve as the foundation for all that we do as an organization, and each USG community member is responsible for demonstrating and upholding these standards. More details on the USG Statement of Core Values and Code of Conduct are available in USG Board Policy 8.2.18.1.2 and can be found on-line at **************************************************************************
Additionally, USG supports Freedom of Expression as stated in Board Policy 6.5 Freedom of Expression and Academic Freedom found on-line at ************************************************
Equal Employment Opportunity
Kennesaw State University is an Equal Employment Opportunity Employer. The University is committed to maintaining a fair and respectful environment for living, work and study. To that end, and in accordance with federal and state law, Board of Regents policy, and University policy, the University prohibits harassment of or discrimination against any person because of race, color, sex (including sexual harassment, pregnancy, and medical conditions related to pregnancy), sexual orientation, gender identity, gender expression, ethnicity or national origin, religion, age, genetic information, disability, or veteran or military status by any member of the KSU Community on campus, in connection with a University program or activity, or in a manner that creates a hostile environment for members of the KSU community.
For additional information on this policy, or to file a complaint under the provisions of this policy, students, employees, applicants for employment or admission or other third parties should contact the Office of Institutional Equity at English Building, Suite 225, ****************.
Other Information
This is a supervisory position.
This position has financial responsibilities.
This position will not be required to drive.
This role is considered a position of trust.
This position does not require a purchasing card (P-Card).
This position may travel 1% - 24% of the time
This position does not require security clearance.
Background Check
* Credit Report
* Standard Enhanced
* Education
Per the University System of Georgia background check policy, all final candidates will be required to consent to a criminal background investigation. Final candidates may be asked to disclose criminal record history during the initial screening process and prior to a conditional offer of employment. Applicants for positions of trust with screening
results which confirm a disqualifying criminal history will be immediately disqualified from employment eligibility.
All applicants are required to include professional references as part of their application process. Some positions may require additional job-based screenings such as motor vehicle report, credit check, pre-employment drug screening and/or verification of academic credentials.
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Easy ApplyDIRECTOR OF ACCOUNTING AND FINANCIAL REPORTING
Finance manager job in Atlanta, GA
The Director of Accounting and Financial Reporting serves as a strategic partner to the Global Controller, playing a critical role in advancing CAREs mission by delivering high-value financial insights and driving excellence in global financial management. This position provides functional leadership to senior finance staff, oversees CARE's shared services center in Manila, and collaborates closely with senior leaders across U.S., regional, and country offices.
Key Responsibilities:
Financial Leadership & Oversight: Supports the Global Controller in ensuring the delivery of timely, accurate, and comprehensive financial information to both internal and external stakeholders. This includes the development and enforcement of financial policies aligned with Generally Accepted Accounting Principles (GAAP) and donor requirements, consolidation of global financial data, and preparation of statutory financial statements and reports.
CARE HQ Accounting and Financial Reporting:
This position is responsible for complex areas such as revenue accounting, investment accounting, as well as accounts receivable, cash application and accounts payable (inclusive of employee travel advances and expense reporting) and fixed assets. This position provides leadership and direction, overseeing complex gift processing exceeding $200 million annually and supports the Fundraising department and associated management reporting. This position also provides supervision and guidance to the Credit Card administrator as the new card program is launched.
This position also oversees the external financial reporting, which includes the preparation of quarterly financial statements in accordance with US generally accepted accounting principles (US GAAP) and serves as a key liaison for the external auditors during the interim and year end audit. Specialized skills and strong accounting knowledge is required.
Coordination with internal and external partners is critical, including collaboration with the Shared Service Center in Manila, grant & programs managers leading USA01 programs, and CARE's external audit firm. The Director of Accounting and Financial Reproting directly supervises managers and four accounting & financial reporting personnel indirectly and provides training and capacity building to the finance, accounting and reporting team to ensure skills are appropriate and that the team can respond to the rapidly changing accounting and compliance environment.
This supports the Global Controller in overseeing the annual Financial Statements Audit conducted by CARE's external auditors.
RESPONSIBILITIES:
Team Leadership Support to Global Controller
* Team Leadership:
Lead and manage a team of professional finance staff by providing consistent supervision, leardership, and support. Foster a high-performance culture through coaching, training, and performance management. Cross-
* Functional Collaboration:
Partner with the Finance Team, Shared Services Center, and key stakeholders across departments to proactively address financial management and compliance issues.
* Team Development:
Build and sustain an effective finance team by investing in professional development and creating a collaborative, inclusive work environment.
* Communication & Coordination:
Ensure seamless communication and coordination between finance units, other CARE USA departments, and external partners to support organizational alignment and operational efficiency.
Oversee HQ Accounting Team
* Supervise, lead, guide and support the accountants and managers in the CARE USA's HQ accounting department. This includes, but is not limited to, developing and updating job descriptions, recruiting (when necessary), annual goal setting and performance management, and coaching and developing.
* This person should pro-actively lead the hiring for direct reports and have a high degree of involvement in the recruiting, on-boarding and coaching for all team members. Support HR/P&C through department reviews of staff to support short & long term strategic initiatives and operational plans.
* Evaluate needs for cross-training of staff to maximize efficiency and minimize control risks and dependencies.
Oversee Revenue Recognition and Budget
* Oversee complex gift processing which includes ensuring completeness, accuracy and valuation of private fundraising, including split interest agreements (perpetual trusts, charitable trusts, gift annuities), planned giving/estate gifts and contributions in kind (CIK). Ensure that processes and procedures are in place to ensure revenue recognition is performed in accordance with US GAAP, including the automation of data feeds from Salesforce and information flow from Fundraising Business Operation colleagues. Work closely with the Revenue manager and Fundraising team to complete the annual budget and automate the bi-weekly revenue report using Power BI. Team and Board of Directors.
* Working with budget holders and financial planning & analysis, oversee the preparation of revenue & expense reports vs. budget for senior management (EMT members and department leads). Support HQ and other domestic holders in annual budgeting process, budget to actual review to ensure proper accounting (revenue, expense, prepaids, capital, etc.).
* Through awareness of strategic initiatives, ensure that accounting for non-recurring activity is appropriate (such as building expansion, software implementations)
* Ensure that financial feasibility studies for new and ongoing initiatives are rigorous and provide complete and relevant information for decision making.
GAAP and Financial Reporting and Financial Statements Audit Oversight
* Responsible for maintaining a high level of integrity of CARE USA's general ledger and subsidiary ledgers. Provides oversight for the monthly balance sheet review, ensuring reconciliations are performed & issues resolved timely. This involves interactions with the CARE USA/USA01 accounting team in Manila as well as program & grant managers based in Atlanta.
* Oversee the accurate, timely and efficient processing of vendor invoices and employee travel advances and expense reimbursements. Ensure proper supporting documentation is included in accordance with policy and vendor discrepancies and disputes are resolved timely. Ensure proper accounting period of expenses submitted to A/P each month, quarter and during year-end financial close by engaging with key budget holders and review of budget vs actual.
* The Director overseen Financial Statements Audit conducted by CARE's external auditors.
* Review the Quarterly User Access Verification and submit all changes timely to the SSC team.
* Work closely with SSC-Manila AP team members to improve quality of AP processing and reduce the number of adjusting and reclassification entries.
* Supervise external financial reporting which includes overseeing the preparation of US GAAP financial statements, federal and state filings, NICRA calculation and preparation/submission to USAID, support & supervise the preparation of other statutory and industry surveys (census bureau, bureau of economics, BBB, Forbes, etc.)
* Oversight for CARE USA, CARE Action Now and CARE Enterprises tax return process and ensure compliance with new tax regulation, including managing external tax providers.
* Serve as technical resource for complex accounting issues (revenue recognition, capitalized software, new lease standard) and thought leader on the application and implementation of new standards at CARE.
* Responsible for planning and supporting the consolidated financial statement audit and Uniform Guidance (US Government) audit. Serve a primary contact for on-site auditors, and ensure that all audit schedules are prepared accurately, timely and consistently and are reviewed before providing to the auditors. Through coordination with IPO and AMS colleagues, anticipate and mitigate areas of possible audit risk. Represent CARE with other external auditors at the federal, state and local level, including USAID.
Financial Controller
Finance manager job in Atlanta, GA
The controller is responsible to oversee the financial company result both on legal entity and consolidated view. This function supports sales, marketing and new product development teams on various project calculations and financial topics. The controller will perform gross margin and product cost analysis, understanding manufacturing costs implication on financial statement and providing financial advice to management. Cooperate and assist financial analyst team with month end closing activities with a strong focus on ensuring correctness of posting vs budget. In completion of these processes this position interacts with European headquarter on processes, timeline, standard reporting and proactively implements new tools and financial concepts as needed.
Conduct analysis of monthly result vs prior month/forecast.
Cost center expenses reporting, analysis and preparation of controlling journal entries.
Ensure consistency, clarity, and accuracy in all reporting. Understand and work with complex financial systems.
Prepare monthly results (sales, margin and profitability) on a consolidated view.
Communicate results with senior management showing risks and opportunities.
Perform product cost analysis from different manufacturing locations.
Assist with preparation of new tools and financial concepts.
Other projects and duties as assign (long term planning, headquarter reporting and analysis).
Qualifications
Bachelor's degree in Accounting, Finance, or Business Administration.
Minimum 5 years successful experience in financial controlling.
Strong analytical skills: ability to interpret complex financial data, develop insights and provide recommendations.
Advanced problem-solving ability: proven ability to identify discrepancies, critical thinking, find solutions, and implement actions to achieve results .
High attention to detail: the Controller oversees financial statements/ budgets and communicate to headquarter/senior management while ensuring accuracy and identifying potential discrepancies/errors.
Adaptability: be able to adapt to implement technology changes, regulations, shifting business needs while maintaining financial integrity (implementing new reporting or adapting to new business situation, implementing new software,…).
Communication: strong communication skills essential for guiding and collaborating with teams and all levels of management.
Collaboration: be a team player working with different department to gather all the necessary information to explain/improve financial situation.
Time management: due to the variety of tasks, proven efficiency in time management to ensure deadlines are met (prioritizing organization of tasks/meetings).
Strong skills in Microsoft Office, particularly Excel and PowerPoint
Experience with SAP a plus
Financial Controller
Finance manager job in Atlanta, GA
We are looking for an experienced Financial Controller, or Controller, to undertake all aspects of financial management, including corporate accounting, regulatory and financial reporting, budget and forecasts preparation, as well as the development of internal control policies and procedures. Finance controller responsibilities will also include financial risk management.
Responsibilities
Manage all accounting operations including Billing, A/R, A/P, GL and Counsel, Cost Accounting, Inventory Accounting and Revenue Recognition
Coordinate and direct the preparation of the budget and financial forecasts and report variances
Prepare and publish timely monthly financial statements
Coordinate the preparation of regulatory reporting
Research technical accounting issues for compliance
Support month-end and year-end close process
Ensure quality control over financial transactions and financial reporting
Manage and comply with local, state, and federal government reporting requirements and tax filings
Develop and document business processes and accounting policies to maintain and strengthen internal controls
Additional controller duties as necessary
REVENUE DEPARTMENT
Keep track of and report paid campaign performances (per ad, email, outreach, etc.)
Cost (total, CPA, by week, by day, by rep, etc.)
Number of Conversions
Conversion Rate
Conversion Timeframe
Properly keep track of lead source (WITHOUT sales or marketing teams' manual data entry or input)
Keep track of and report sales performance (per team, per rep, etc.)
Sales Conversion Rate
Conversion Timeframe
Cash Collected
PIF Percentage
Deal Source
Prospect's Journey (Touch Points)
etc.
GENERAL
Find better financial products and solutions such as payment processors.
Negotiate rates with banks, suppliers, etc.
Financial projection.
Cash flow management, and maintaining bank accounts.
Expenses control.
Help convert contractor to employees with benefits!
Requirements
Proven working experience as a Financial controller
5+ years of overall combined accounting and finance experience
Advanced degree in Accounting
CPA or CMA preferred
Thorough knowledge of accounting principles and procedures
Experience with creating financial statements
Experience with general ledger functions and the month-end/year-end close process
Excellent accounting software user and administration skills
Bachelor's Degree in Accounting required; MBA preferred.
Certified Public Accountant (CPA), Certified Management Accountant (CMA), or Chartered Global Management Accountant (CGMA) credential required.
Minimum seven years of relevant management experience required.
Previous experience in a healthcare and medical group financial management including revenue cycle is required. Multi-specialty practice experience is preferred.
Experience running full cycle payroll on various software (ISolved, ADP, Paychecks, etc.)
QuickBooks, Microsoft Dynamics GP (Great Plains), and/or other general ledger software applications-experience needed.
Advanced Microsoft Excel experience required
Strong interpersonal, management, analytical and communication skills.
Ability to multi-task, work under pressure and meet deadlines.
Pre-employment drug screen is required. A background check will be required.
Financial Controller
Finance manager job in Atlanta, GA
Our client is seeking an accomplished Financial Controller to lead the finance and accounting function for a multi-entity operation based in Atlanta. This role requires a seasoned professional capable of elevating financial processes, driving operational rigour, and partnering closely with senior leadership. The successful candidate will bring both technical excellence and hands-on leadership, ensuring strong financial reporting, effective controls, and strategic financial insight.
Key Responsibilities
Financial Reporting & Compliance:
Lead the preparation of timely, accurate IFRS financial statements and ensure adherence to regulatory standards and internal policies.
Month-End & Year-End Close:
Oversee close activities, journal entries, reconciliations, and provide consolidation support to the parent organisation.
General Ledger & Internal Controls:
Maintain GL integrity, strengthen internal controls, and safeguard company assets.
Budgeting, Forecasting & Analysis:
Drive annual planning cycles, financial modelling, variance analysis, and provide actionable insights to leadership.
Cash Flow Management:
Oversee weekly liquidity, receivables, payables, and banking needs.
Audit, Tax & Compliance Oversight:
Coordinate audits, tax filings, and ensure multi-jurisdictional compliance.
Process & Systems Improvement:
Identify opportunities for automation, efficiency, and improved reporting, ideally leveraging experience with Sage (Accpac) or similar systems.
Team Leadership:
Manage, mentor, and develop a small accounting team, fostering a high-performance culture.
Candidate Profile
10-15 years of total experience, including 10+ years in accounting and 5+ years in leadership.
CPA strongly preferred.
Background in multi-entity operations with strong knowledge of IFRS and GAAP.
Ideally brings Big Four experience, aligning with expectations for precision and analytical strength.
Hands-on operator with exceptional attention to detail and the ability to provide strategic insight.
Strong communicator capable of influencing and supporting executive decision-making.
Experience with Sage (Accpac) and advanced Excel strongly preferred.
Financial Controller
Finance manager job in Atlanta, GA
Howard Enterprise is a fast-scaling organization operating across multiple verticals - including media, events, education, digital products, and partnerships. We're looking for a Financial Controller who will serve as the backbone of our internal financial operations, ensuring accuracy, compliance, and data-driven decision-making as we scale toward $100M+.
This role is ideal for a financially sharp operator who thrives in fast-paced, entrepreneurial environments. You'll build and refine financial systems, manage accounting processes, and deliver the insights that empower our leadership to make confident, growth-oriented decisions.
Key Responsibilities:Accounting & Reporting
● Prepare and manage monthly financial statements, balance sheets, and income statements.
● Oversee month-end and year-end close processes with precision and timeliness.
● Maintain the general ledger, journal entries, and bank reconciliations.
● Manage A/P and A/R, including approvals, coding, and payment schedules.
● Oversee contractor invoicing and 1099 processing for compliance and accuracy.
● Partner with the CFO and external CPA firm on tax preparation and compliance.
Financial Operations & Systems
● Oversee payroll operations in collaboration with HR and Operations.
● Perform variance analysis and provide insight into month-over-month and year-over-year performance.
● Implement and continuously improve financial controls, processes, and systems.
● Evaluate and optimize account structures and cost centers across business units.
● Manage vendor, banking, and software relationships.
Data, Forecasting & Strategic Insights
● Lead company-wide financial forecasting across all business verticals.
● Consolidate and analyze financial and operational data to support scaling strategies.
● Conduct trend and variance analyses to identify risks, inefficiencies, and profit opportunities.
● Support the CFO in preparing board-level reports and dashboards.
● Collaborate with Strategy and Operations teams to connect financial metrics to key business KPIs.
Requirements
● Bachelor's degree in Accounting or Finance (required).
● 5-10 years of progressive experience in accounting or finance, ideally within media, digital education, or service-based companies.
● Proven track record managing multi-entity or multi-vertical accounting.
● Deep understanding of GAAP, internal controls, and monthly close processes.
● Advanced proficiency in Excel (Pivot Tables, VLOOKUPs, formulas) and financial platforms like QuickBooks or NetSuite.
● Exceptional analytical, problem-solving, and communication skills.
● Experience with contractor-heavy teams (1099s) and diversified revenue streams (courses, partnerships, events, etc.).
● CPA designation preferred but not required.
Benefits
● Salary: $75,000 - $100,000 (DOE)
● Bonuses: Based on accuracy, speed of close, and forecasting precision.
● Career Path: Opportunity to advance into Director of Finance or VP of Finance as the company scales.
● Remote Work: Office, Internet, and Computer setup for full-time capabilities.
What Makes You a Great Fit:
You're more than a bookkeeper - you're a builder. You anticipate needs, create systems before they're urgent, and bring both precision and adaptability to every challenge.
You'll thrive in this role if you:
✅ Build processes before they're needed.
✅ Thrive in environments where pace and precision both matter.
✅ Combine structure with strategic curiosity.
✅ Operate with integrity, accountability, and excellence.
✅ Love translating numbers into clarity and action.
How to Apply
If you're a confident, forward-thinking professional who thrives on making big things happen, and you love supporting a fast-moving entrepreneur with bold goals, we want to meet you!
Apply today and include a brief note about why this role feels like the perfect fit for you.
We also ask that all applicants complete the Assessment at the link below before moving forward in the hiring process:
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Join a growing investing company focused on improving business objectives.
Auto-ApplyFinancial Controller
Finance manager job in Marietta, GA
Federal Applicant Rights - English
Federal Applicant Rights - Spanish
Essential Responsibilities
Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
Lead and oversee all accounting functions, including general ledger, cost accounting, payroll, accounts payable/receivable, and revenue recognition.
Ensures accurate and timely preparation of monthly, quarterly, and annual financial statements in accordance with GAAP and adherence to Parent Company deadlines.
Provides creative and analytical solutions to plan, support and implement executive management's (U.S. and Germany) financial strategies and corporate mission.
Assures corporate tax compliance in the areas of income, franchise, property, and sales tax for multiple states; serves as primary point of contact with tax consultants on such issues.
Manages cash flow planning, working capital and liquidity to support business operations and growth.
Maintains compliance with FDA, ISO, CMS and other medical device industry financial and operational standards.
Leads financial and statutory audits and coordinates with external auditors and tax advisors.
Establishes and enforces robust internal controls, policies, and procedures in accordance with industry's best practices.
Partner with executive management in company-wide budgeting and forecasting processes. Deliver financial analyses, variance reports, and data-driven insights that guide executive decisions and resource allocation.
Oversees ERP and financial systems, ensuring scalability and integration with supply chain, regulatory and sales platforms.
Recruits, mentors, and manages accounting and finance team. Builds a culture of accountability, collaboration, and continuous improvement.
Drive cross-functional collaboration with Operations, Sales and Regulatory to support and drive business initiatives.
Required Education and Experience
Bachelor's degree in accounting, finance, or business required; MBA or Master's in Accounting preferred.
10-15 years of progressive accounting and finance experience, with at least 5 years in a senior leadership capacity (Controller, VP Finance, or equivalent); proven experience in the medical device, biotech, or regulated manufacturing sector or auditing of the same required.
ERP implementation or optimization experience strongly preferred.
Certified Public Accountant (CPA) required.
Position Requirements
Excellent verbal and written communication skills are required as are strong interpersonal skills.
Candidates must show exceptional strategic thinking with ability to translate complex data into business action.
Must be detail-oriented and possess strong organizational skills; superior facilitation skills are required.
Demonstrated high quality computer skills including MS Office, Outlook, and expertise in ERP systems (JDE preferred).
Must show sound judgment in dealing with confidential information.
Competencies
Problem Solving/Analysis.
Results Driven.
Detail Orientation.
Business Acumen.
Customer Focus.
Technical Capacity.
Communication Proficiency.
Supervisory Responsibility
This position is responsible for managing a team of financial and accounting professionals.
Work Environment
This position operates in a professional office environment and routinely uses office and computer equipment typical of similar positions. The position is also exposed to all manner of products in the company's portfolio.
Physical Demands
The physical demands described here are representative of those that must be met by an employee to successfully perform the essential functions of this job. While performing the duties of this job, prolonged periods of sitting at a desk and working at a computer are routinely required. The employee frequently is required to lift and/or carry up to 10 pounds. Please refer to the Position Analysis/Physical Activities Checklist on file in Human Resources.
Position Type and Expected Hours of Work
This is a full-time position. Days and hours of work are typically Monday through Friday with substantial variety in start and finish times. Occasional evening and weekend work may be required as job duties demand.
Travel
This position requires some travel, including some overnight and international.
Additional Eligibility Qualifications
None required for this position.
Work Authorization/Security Clearance
Employees must be legally authorized to work in the United States. Employees must not be specifically barred from working with Federal contracts, government entities or otherwise listed on Federal excluded parties list.
AAP/EEO Statement
Erbe employees and applicants for employment are protected by federal laws, Presidential Executive Orders, and state and local laws designed to protect employees and job applicants from discrimination on the bases of race, religion, color, sex (including pregnancy, gender identity, and sexual orientation), parental status, national origin, age, disability, family medical history or genetic information, political affiliation, military service, or other non-merit-based factors. These protections extend to all management practices and decisions, including recruitment and hiring practices, appraisal systems, promotions, and training and career development programs.
Other Duties
Please note this position description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee for this job. Duties, responsibilities, and activities may change at any time with or without notice.
At-Will Employment
This position description does not constitute a contract or guarantee employment for any specified time. The company may exercise its employment-at-will rights at any time.
Corporate Financial Analyst
Finance manager job in Alpharetta, GA
This role is not open for submissions from outside staffing agencies
Corporate Financial Analyst
Salary range: $60,000-$75,000
Trulite is GROWING! We are looking for an entry-level Corporate Financial Analyst based at our Corporate - Alpharetta, GA location.
WHO YOU ARE:
The Financial Analyst analyzes and interprets financial data to advise and support strategic decision-making and achieve business objectives. This role works closely with senior leadership and cross-functional teams on financial planning, analysis and reporting to help drive data-informed decisions and efficient financial operations.
WHAT YOU WILL BE DOING:
Ensures all financial reporting, operations and transactions maintain compliance with organizational and regulatory financial policies, standards, and controls.
Utilizes financial modeling and analytical tools to measure and forecast the impact of various economic scenarios, risks, and business changes. Maintains financial databases by entering, verifying, and backing up data.
Tracks variances between financial projections and actual results to identify and troubleshoot differences and recommend adjustments or improvements.
Assist in preparing budgets and financial forecasts to support strategic planning.
Create and present financial reports to management, highlighting key insights and recommendations.
Work closely with other departments to provide financial insights and support cross-functional initiatives.
Reconciles transactions by comparing and correcting data.
All other duties as assigned.
SKILLS YOU BRING:
Bachelor's degree in Finance, Accounting, or a related field.
2-4 years' experience in finance or related areas.
Strong proficiency in Microsoft Office Suite (Excel, Word, Outlook and PowerPoint) and financial software applications.
Experience with data visualization tools, such as Tableau or Power BI, preferred.
Experience with ERP systems (e.g., SAP, Oracle), preferred.
Basic understanding of financial statements and accounting principles.
Excellent communication, interpersonal, and presentation skills.
Strong attention to detail and a high level of accuracy.
Ability to manage multiple tasks and meet deadlines.
Must be able to perform the duties and responsibilities with or without reasonable accommodation.
Strong analytical and problem-solving abilities.
Must pass criminal background check.
Why Trulite:
Trulite offers the most comprehensive benefits coverage in the industry. We give our employees immediate access to health, dental, vision, and life insurance benefits, as well as provide short/long-term disability coverage to protect you financially during a non-occupational injury.
We are pleased to offer a comprehensive wellness initiative that includes access to a percentage of your pay daily if needed, and a progressive financial training program.
Stay with us for a year and your 401k employer match is 100% vested and immediately becomes part of your ever-improving financial plan. This is also true for those who select and contribute to their Health Savings Account. We match on both employee and family coverage to help cover out-of-pocket expenses and if unused continue to grow until needed. The employer match for your HAS, if you choose to participate, is also vested immediately at 100% improving your financial health.
Trulite bears most of the cost of your benefits. We structured these benefits because we care not only about your physical well-being but also your financial health and welfare. Let us show you why Trulite values you as an employee and how we will help you achieve financial independence.
We are an Equal Opportunity Employer. We embrace and encourage our employees' differences in age, color, disability, ethnicity, gender identity or expression, language, national origin, physical and mental ability, political affiliation, race, religion, sexual orientation, socioeconomic status, veteran status, and other characteristics that make our employees unique.